Search for: "Board of Directors v. Banke" Results 81 - 100 of 1,150
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19 Jan 2018, 6:30 am
Chen (University of Pennsylvania), on Friday, January 12, 2018 Tags: Board composition, Board monitoring, Board performance, Boards of DirectorsDirector qualifications, Firm performance, Shareholder voting What the New Tax Rules Mean for M&A Posted by Deborah L. [read post]
19 May 2012, 10:53 am by Stefan Padfield
If you think about it, if you're the director or the CEO of a bank, isn't that the one thing you should understand? [read post]
26 Dec 2017, 5:00 am by John Jascob
The gist of the shareholders’ Caremark theory was that Citigroup’s officers and directors ignored red flags (the complaint said the board “sat like stones growing moss”) that should have alerted them to serious misconduct on the part of the bank. [read post]
4 Feb 2010, 12:00 pm by J. Robert Brown
This undertaking requires the Audit Committee of the Bank’s Board of Directors to retain special counsel with expertise in disclosure issues who will report to the Committee and review the Bank’s public disclosures. [read post]
22 Feb 2012, 1:43 am by sally
Supreme Court Stanford International Bank Ltd v Director of The Serious Fraud Office [2012] UKSC 3 (15 February 2012) Court of Appeal (Civil Division) Cameron v Boggiano & Anor [2012] EWCA Civ 157 (21 February 2012) SS (Sri Lanka) v Secretary of State for the Home Department [2012] EWCA Civ 155 (21 February 2012) Caterpillar Logistics Services (UK) Ltd v de Crean [2012] EWCA Civ 156 (21 February 2012) Hobson v Magee (t/a Team… [read post]
25 Jan 2010, 2:01 am by Kevin LaCroix
District Court former directors and officers of New Frontier Bank. [read post]
18 Mar 2008, 7:19 am
For example, did the Bear Stearns board of directors meet their Revlon duties to get the highest price? [read post]
10 Apr 2020, 8:39 am by Dennis Crouch
Instead, the “direct supervision and control of each Bank is exercised by its board of directors. [read post]
14 Jun 2019, 6:18 am
Blurred Lines: Government Involvement in Corporate Internal Investigations and Implications for Individual Accountability Posted by Andrew Bauer, Jonathan Green, and Sara D’Amico, Arnold & Porter Kaye Scholer LLP, on Friday, June 7, 2019 Tags: Banks, Deutsche Bank, DOJ, Financial institutions, Financial regulation, LIBOR, Securities enforcement, U.S. federal courts Board Development and Director Succession… [read post]
23 Aug 2010, 7:37 am by Broc Romanek
Delaware Chancery Refuses to Apply Choice of Law Provision in Investment Bank's Engagement Letter From Kevin Miller of Alston & Bird: In Shandler v. [read post]
24 Aug 2018, 6:06 am
Maldonado, Cleary Gottlieb Steen & Hamilton LLP, on Tuesday, August 21, 2018 Tags: Board composition, Board turnover, Boards of Directors, Disclosure, Diversity, Engagement, Institutional Investors, Shareholder voting Corporate Governance in Emerging Markets Posted by Ruth V. [read post]
26 May 2015, 11:11 am by John Jascob
The shareholder asserted Caremark claims against the board, but the court held that the pension fund showed no evidence indicating that it was exempt from making a demand on the bank’s board. [read post]
13 May 2013, 2:56 am by Peter Mahler
Scheinkman in Briarcliff Solutions Holdings, LLC v. [read post]
30 Mar 2018, 6:01 am
Financial Crisis Inquiry Commission (2009-2011), on Tuesday, March 27, 2018 Tags: Banks, Deregulation, Dodd-Frank Act, Financial crisis, Financial Crisis Inquiry Commission, Financial institutions, Financial regulation, Foreign banks, Leverage, Prudence, S. 2155, Systemic risk, Too big to fail, US Senate Upcoming Volcker Rule Regulatory Changes Posted by Mark V. [read post]